Ms. Salins brings to the team over 14 years of compliance experience. Throughout her career, Ms. Salins has specialized in SEC and FINRA compliance matters, including filing, examinations and internal audits. Most recently, she was responsible for providing legal, operational and compliance support services to Registered Investment Advisers, Private Funds, Commodity Pool Operators and Broker-Dealers. Throughout her career, Ms. Salins has managed SEC and FINRA regulatory filings, including Forms 3, 4, 5, Schedules 13D, 13G, 13F and Forms ADV, Form D and Form BD.Prior to joining Core Compliance, Ms. Salins was General Counsel and Chief Compliance Officer for Coastland Capital LLC, where she was responsible for designing and overseeing the Firm’s legal and compliance departments. Previously, Ms. Salins was Senior Vice President, Chief Compliance Officer for Wells Fargo Securities and Chief Compliance Officer, AML Officer and Vice President of Allen & Company LLC.